Starbucks Corporation

NASDAQ:SBUX

96.9 (USD) • At close September 19, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 4,124.73,283.44,200.3924.73,594.64,518.32,884.92,818.92,759.32,067.78.81,384.71,248948.3390.8315.5672.638564.259494.467391.775268.346215.073181.2194.564101.768.457.442.126.110.28.54.12.4
Afschrijvingen & Amortisatie 1,450.31,529.41,524.11,503.21,449.31,305.91,067.11,030.1933.8748.4655.6580.6550540.8563.3604.5491.891414.638367.207304.82259.271221.141177.087142.171107.580.958.239.424.812.56.83.62.9
Uitgestelde Inkomstenbelasting -59.4-37.8-146.2-25.8-1,495.4714.995.1265.721.210.2-1,045.961.1106.2-42-69.6-117.1-37.326-84.324-31.253-3.073-22.813-6.088-6.068-18.2520.82.15.34.40.20.2-0.900
Aandelen Gebaseerde Vergoedingen 302.7271.5319.1248.6308250.3176218.1209.8183.2142.3153.6145.2113.683.2000000000000000000
Verandering in Werkkapitaal -1,133.4-2,133-501.2-2,676.41,648.76,913.489.7353278.8-2,209.8476.7-434.8-248.1132.4230.875.5159.287221.942-28.33145.13734.08611.84179.42719.5540.3-17-23.757.6-43.7-27.2-5.7-0.1-2.7
Vorderingen -4.1-326.1-43-2.7-197.7131-96.8-55.6-82.8-79.7-68.3-90.3-88.711.373.5000000000000000000
Voorraden 366.4-641-49.8-10.9-173-41.214-67.5-207.914.3152.5-273.3-422.3123.228.5-0.6-48.576-85.527-121.618-77.662-64.768-41.379-19.704-19.495-36.4-23.5-36.240.3-67.6-30.1-12.5-3.6-4.8
Crediteuren 100.1345.5189.9-210.831.9391.646.446.9137.760.488.7-136227.5-3.6-53000000000000000000
Overig Werkkapitaal -1,595.8-1,511.4-598.3-2,4521,987.56,432126.1429.2431.8-2,204.8303.864.835.41.5181.876.1207.863307.46993.287122.79998.85453.2299.13139.04936.76.512.517.323.92.96.83.52.1
Overige Niet-Contante Posten 1,323.81,483.85931,623.5-458.2-1,765-138.5-110.7-453.8-191.92,670.8-25.7-188.911.8190.5389.144.54775.688121.51855.18927.55735.71829.1780.5370.20.13.80.10.12.80.31.30
Kasstroom uit Operationele Activiteiten 6,008.74,397.35,989.11,597.85,04711,937.84,174.34,575.13,749.1607.82,908.31,719.51,612.41,704.91,3891,258.71,331.2211,131.633923.608793.848566.447477.685460.826318.574210.6142.9101136.711.4-1.598.92.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,333.6-1,841.3-1,470-1,483.6-1,806.6-1,976.4-1,519.4-1,440.3-1,303.7-1,160.9-1,151.2-856.2-531.9-440.7-445.6-984.5-1,080.348-771.23-643.989-386.176-357.282-375.474-384.215-316.45-277.4-201.9-169.7-161.8-129.4-85.3-39.5-15.9-10.6
Netto Overnames 059.31,1750684.3-703.185.469.6-275.4103.9-502.4-129.1-55.8-120-74.2-53.293-91.734-21.583-7.515-69.92800-13.5223.900000000
Aankoop van Beleggingen -610.5-377.9-432-443.9-190.4-191.9-674.4-1,585.7-567.4-1,652.5-785.9-1,748.6-979.2-549-134-123.8-293.974-639.192-643.488-566.645-323.331-339.968-184.187-118.501-122.8-51.4-171.6-184.6-148.8-106.1-138.9-170
Verkoop/verval van Beleggingen 619.4139.9488.7260.4358.1504.31,204.1708.6619.41,910.91,040.21,796.44302.311695.9225.664700.3151,095.667354.562269.576223.109140.431107.98888.7117.29.3140.8102.5173.880.92.93.1
Overige Investeringsactiviteiten 53.9-126.3-81.2-44.4-56.25.654.324.96.8-19.1-11.9-36.5117.4209.942.500-39.199-7.915-26.419-18.2936.993-5.082-32.747-28.7-12.7145-5.60.10-0.100.5
Kasstroom uit Investeringsactiviteiten -2,270.8-2,146.3-319.5-1,711.5-1,010.8-2,361.5-850-2,222.9-1,520.3-817.7-1,411.2-974-1,019.5-789.5-421.1-1,086.6-1,201.951-841.04-221.308-632.193-499.258-485.34-433.053-373.232-336.3-148.8-187-211.2-175.6-17.6-97.6-30-7
Financieringsactiviteiten:
Schuldaflossingen -1,253.8-1,036.6-1,896.3-967.7-350-5,584.1-400-1,254.5-610.1-748.5-35.20-4.3-6.6-23,017.2000000000000000000
Uitgifte van Gewone Aandelen 167.4101.6246.2298.8409.8153.9150.8160.7191.8139.7247.2236.6235.4127.957.3112.3176.937159.249163.555137.59107.183107.46759.63968.72143.225.425.516.5172.22.6848.80
Terugkoop van Gewone Aandelen -984.4-4,013215.1-1,698.9-10,222.3-7,133.5-2,042.5-1,995.6-1,436.1-758.6-588.1-549.1-555.9-285.60-311.4-996.798-854.045-1,113.647-203.413-75.71-52.248-49.7880000000-3.300
Uitgekeerde Dividenden -2,431.8-2,263.3-2,119-1,923.5-1,761.3-1,743.4-1,450.4-1,178-928.6-783.1-628.9-513-389.5-1710000000000000000000
Overige Financieringsactiviteiten 1,5121,573.3-976,004.61,866.911,064.3740.52,517.4526.51,527.2896.8110.8106.3-10.722,317.714.6647.974539.47276.265-0.722-0.7112.2114.97-9.36847.312.24.4163.34.67.879.7-84.2
Kasstroom uit Financieringsactiviteiten -2,990.6-5,638-3,6511,713.3-10,056.9-3,242.8-3,001.6-1,750-2,256.5-623.3-108.2-714.7-608-346-642.2-184.5-171.887-155.326-673.827-66.54530.76367.4314.82159.35390.537.629.9179.8176.810.484.440.84.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -14.2-250.386.264.7-49-39.510.8-3.5-150.6-34.1-1.89.7-0.8-5.24.30.911.2723.530.2833.1113.2781.56-0.174-0.297-0.1-0.18674.5164.219.188.621.14.4
Netto Kasstroomverandering 733.1-3,637.32,104.81,664.3-6,069.76,294333.5598.7-178.3-867.31,387.140.5-15.9564.2330-11.5-31.345138.79728.75698.221101.2361.33542.424.398-35.331.629.9179.8176.810.484.440.84.2
Kaspositie aan het Einde van de Periode 3,551.52,818.46,455.74,350.92,686.68,756.32,462.32,128.81,530.11,708.42,575.71,188.61,148.11,164599.8269.8281.261312.606173.809299.128200.907174.572113.23770.81766.4101.7156.1200.7185.227.5105.241.95.5